Polar Capital Holdings PLC (LSE:POLR) - Share price


Stock Report

Polar Capital Holdings PLC POLR

Last Price
GBX792.00

Day Change
-1.00|-0.13%

As of 03/12/2021
17:59:36 GMT | GBX
Minimum 15 Minutes Delay.

Last Close793.00p
Day Range791.00 - 802.00
Mkt Cap794.00Mil
52-Wk Range559.50 - 951.00
Yield %5.05
ISINGB00B1GCLT25
Volume99,293
P/E11.86
P/S0.04
P/CF0.10

Share Price

Total Returns 03/12/2021

 Chg (%)  
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Polar Capital Holdings PLC-4.00 
FTSE 100 TR GBP-1.66
 
Financials
201920202021
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Income Statement
Turnover177.51151.71201.51
Operating Profit63.0649.8567.61
Net Profit52.3940.1962.72
Reported EPS53.6041.3064.00
Balance Sheet
Current Assets162.11164.55219.84
Non Current Assets5.808.4335.89
Total Assets167.90172.98255.73
Current Liabilities56.3351.0091.79
Total Liabilities58.2256.90104.29
Total Equity109.68116.08151.44
Cash Flow
Operating Cash Flow82.9558.4590.75
Net Change in Cash24.15-4.1129.02

Regulatory News

DateAuthor Headline
17/01/2019David Brenchley UK Domestic Stocks to Weather Brexit Britain
UK stocks have been heavily sold off thanks to Brexit uncertainty, particularly those exposed to the domestic economy. But this throws up value opportunities
24/11/2014Emma Wall Woodford to Launch Second Fund
Six months after the successful launch of his equity income fund, veteren investor Neil Woodford is considering a global smaller companies fund 
14/07/2014Emma Wall Woodford's Full Portfolio Revealed
Woodford is maximising his overseas exposure and allocating a third of the portfolio to his favourite sector, pharmaceuticals, as well as a surprisingly high financials exposure
Director Dealings
TradedActionNotifierPriceAmountValue
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14/10/2021PurchaseMr. Andrew Ross770.9215,000115,638.00
16/07/2021SaleMr. John Bradbury Mansell879.1124,122212,059.00
16/07/2021Transfer inMr. John Bradbury Mansell0.0043,8590.00
16/07/2021SaleMr. Gavin Mark Rochussen879.1142,885377,006.00

Company Profile

Polar Capital Holdings PLC is a specialist investment management company. It offers professional and institutional investors a range of geographical and sector funds. The company has long-only and absolute return funds in its product range. The company offers fundamental funds diversified by asset class, geographical, sectoral specialization, and structure. It operates in United Kingdom, Ireland, Cayman and Europe. The group's revenue generating operations are in London.

Sector

Asset Management

Index

FTSE AIM UK 50 , FTSE AIM 100 , FTSE AIM All-Share

Next Event 01/07/2022

Final Results
Ratios
Comp
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PER (E)11.96
Div Yld (E)5.01
PEG (E)0.00
ROCE41.24
Op Mrgn0.34
EPS Grwth0.36
Dividends
PreviousLatest
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Record Date09/07/2124/12/21
Ex-Div08/07/2123/12/21
Paid30/07/2114/01/22
Amnt31.0014.00
Directors
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Non-Executive Director, ChairmanMr. David John Lamb
Non-Executive DirectorMr. Jamie Michael Beale Cayzer-Colvin
Executive Director, CFO and Chief Operating OfficerMr. John Bradbury Mansell
Non-Executive DirectorMs. Winifred Elsie Robbins
Non-Executive DirectorMr. Andrew Ross
Executive Director, Chief Executive OfficerMr. Gavin Mark Rochussen
Non-Executive DirectorMrs. Alexa Jane Coates
AJ Bell Management Limited (company number 03948391), AJ Bell Securities Limited (company number 02723420) and AJ Bell Asset Management Limited (company number 09742568) are authorised and regulated by the Financial Conduct Authority. All companies are registered in England and Wales at 4 Exchange Quay, Salford Quays, Manchester M5 3EE. See website for full details. AJ Bell procures the provision of the Morningstar Licensed Tools on an “as is” basis and does not guarantee the performance of or accept liability for the Licensed Tools. To the maximum extent permitted by law, AJ Bell excludes liability for the Licensed Tools, including liability for any failure, interruption, delay or defect in the performance of any Licensed Tool, unless it arises as a direct result of the negligence of AJ Bell.
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